Duties and Responsibilities but not limited to:
Maintain financial records and ensure the financial transactions are completely and accurately recorded
Reconciliation of sub-ledgers to the general ledger
Completion of all balance sheet account reconciliations
Processing of adjusting journal entries
Maintenance of fixed asset registers
Generation of monthly trial balance for management reporting
Preparation of month-end reporting packs and variance analysisQualification:
Bcom Accounting Degree and Matric
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